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Advances in financial risk management : corporates, intermediaries and portfolios by Batten, Jonathan; MacKay, Peter, 1961-; Wagner, Niklas F., 1969- instant download

  • SKU: EBN-239679122
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Authors:Batten, Jonathan; MacKay, Peter, 1961-; Wagner, Niklas F., 1969-
Pages:updating ...
Year:2013
Publisher:New York, NY : Palgrave Macmillan
Language:english
File Size:22.56 MB
Format:pdf
Categories: Ebooks

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Advances in financial risk management : corporates, intermediaries and portfolios by Batten, Jonathan; MacKay, Peter, 1961-; Wagner, Niklas F., 1969- instant download

xxvi, 411 pages : 23 cm, \"Advances in Financial Risk Management: Corporates, Intermediaries and Portfolios is essential reading to those interested in better understanding developments in the post-Global Financial Crisis (GFC) environment. There are seventeen papers that provide the latest research on measuring, managing and pricing financial risk, allocated into three very broad perspectives: risk management in non-financial corporations; in financial intermediaries such as banks, which must comply with regulatory standards on measuring and managing risk; and finally within the context of a portfolio of securities of different credit quality and marketability. This unique compilation of papers provides an expansive view of the latest techniques available to academics and practitioners to measure and manage risk\"--, Includes bibliographical references and index, Machine generated contents note: -- PART I: CORPORATE -- 1. Strategic Risk Management and Product Market Competition; Tim R. Adam and Amrita Nain -- 2. The Cash-Flow Risk of Corporate Market Investments; Craig O. Brown -- 3. Foreign Currency Hedging and Firm Value: A Dynamic Panel Approach; Shane Magee -- 4. Repurchases, Employee Stock Option Grants, and Hedging; Daniel A. Rogers -- 5. Do Managers Exhibit Loss Aversion in their Risk Management Practices?: Evidence from the Gold Mining Industry; Tim R. Adam, Chitru S. Fernando and Evgenia Golubeva -- PART II: INTERMEDIARIES -- 6. Does Securitization Affect Banks' Liquidity Risk? The Case of Italy; Francesca Battaglia and Maria Mazzuca -- 7. Stress Testing Interconnected Banking Systems; Rodolfo Maino and Kalin Tintchev -- 8. Estimating Endogenous Liquidity Using Transaction and Order Book Information; Philippe Durand, Yalin Gündüz and Isabelle Thomazeau -- 9. The 2008 UK Banking Crash: Evidence from Option Implied Volatility; Ha Yan Raymond So, Tarik Driouchi and Zhiyuan Simon Tan -- 10. International Portfolio Diversification and the 2007 Financial…
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